Raiff Partners Inc (1026303) Portfolio


Number of Companies: 39
Inflow: $47,019 K
Outflow: $-27,333 K
Net Flow: $19,686 K
2016-03-31: Recent SEC Filing
2015-12-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
3049 6 General Electric Co (GE) Electrical Power Equipment 245,000 New Holding 245,000 $31.79 $7,788 $7,788
2761 11 Viacom Inc-Class B (VIAB) Entertainment Content 143,000 New Holding 143,000 $41.27 $5,903 $5,903
230 7 Bandg Foods Inc (BGS) Packaged Food 116,000 New Holding 116,000 $34.81 $4,037 $4,037
2973 23 Constellation Brands Inc-A (STZ) Beverages 25,000 New Holding 25,000 $151.08 $3,777 $3,777
252 1 Jc Penney Co Inc (JCP) Department Stores 250,000 New Holding 250,000 $11.06 $2,765 $2,765
1048 13 Cna Financial Corp (CNA) P And C Insurance 85,000 New Holding 85,000 $32.18 $2,735 $2,735
3079 54 Apple Inc (AAPL) Communications Equipment 75,000 Added More 25,000 $108.98 $2,724 $8,174
2889 12 Cbs Corp-Class B Non Voting (CBS) Entertainment Content 47,000 New Holding 47,000 $55.09 $2,589 $2,589
2 1 Yahoo Inc (YHOO) Internet Media 70,000 New Holding 70,000 $36.81 $2,576 $2,576
649 13 Starwood Property Trust Inc (STWD) Mortgage Finance 186,000 Added More 116,000 $18.93 $2,195 $3,520
333 1 Hasbro Inc (HAS) Toys And Games 24,000 New Holding 24,000 $80.09 $1,922 $1,922
3044 9 Costco Wholesale Corp (COST) Mass Merchants 10,000 New Holding 10,000 $157.58 $1,575 $1,575
3050 14 Wells Fargo And Co (WFC) Diversified Banks 32,000 New Holding 32,000 $48.36 $1,547 $1,547
2905 5 Amerisourcebergen Corp (ABC) Health Care Supply Chain 17,000 New Holding 17,000 $86.55 $1,471 $1,471
2752 3 Best Buy Co Inc (BBY) Consumer Elec And Applc Stores 35,000 New Holding 35,000 $32.43 $1,135 $1,135
2571 15 Mgm Resorts International (MGM) Casinos And Gaming 283,000 Added More 33,000 $21.44 $707 $6,067
2399 4 Weight Watchers Intl Inc (WTW) Personal Care Services 190,000 Added More 35,000 $14.53 $508 $2,760
538 3 National Cinemedia Inc (NCMI) Advertising And Marketing 29,000 New Holding 29,000 $15.21 $441 $441
3020 26 United Technologies Corp (UTX) Aircraft And Parts 2,000 New Holding 2,000 $100.09 $200 $200
1951 5 Manitowoc Company Inc (MTW) Construction And Mining Machinery 40,000 New Holding 40,000 $4.33 $173 $173
2831 5 Kansas City Southern (KSU) Rail Freight 1,300 New Holding 1,300 $85.44 $111 $111
737 9 Tootsie Roll Inds (TR) Packaged Food 2,000 New Holding 2,000 $34.93 $69 $69
2681 14 United Rentals Inc (URI) Industrial Distribution And Rental 1,000 New Holding 1,000 $62.18 $62 $62
605 24 Brightcove (BCOV) Application Software 10,000 Sold Some -5,000 $6.24 $-31 $62
136 2 Cit Group Inc (CIT) Commercial Finance 0 Sold All -2,500 $31.03 $-77 $0
424 6 Textron Inc (TXT) Aircraft And Parts 0 Sold All -3,000 $36.45 $-109 $0
2494 56 Frontier Communications Corp (FTR) Telecom Carriers 0 Sold All -30,000 $5.59 $-167 $0
2436 20 Finish Linethe - Cl A (FINL) Specialty Apparel Stores 0 Sold All -15,000 $21.10 $-316 $0
3057 15 Jpmorgan Chase And Co (JPM) Diversified Banks 0 Sold All -15,000 $59.22 $-888 $0
3062 63 Atandt Inc (T) Telecom Carriers 175,000 Sold Some -25,000 $39.16 $-979 $6,854
89 1 Wynn Resorts Ltd (WYNN) Casinos And Gaming 0 Sold All -20,000 $93.43 $-1,868 $0
32 1 Amtrust Financial Services (AFSI) P And C Insurance 0 Sold All -80,000 $25.87 $-2,070 $0
4 1 Newell Rubbermaid Inc (NWL) Home And Office Furnishings 0 Sold All -50,000 $44.29 $-2,214 $0
3023 7 Merck And Co Inc (MRK) Large Pharma 0 Sold All -50,000 $52.91 $-2,645 $0
3080 12 Amazoncom Inc (AMZN) Ecommerce Discretionary 0 Sold All -5,000 $593.64 $-2,968 $0
2762 29 American Eagle Outfitters (AEO) Specialty Apparel Stores 0 Sold All -185,000 $16.67 $-3,083 $0
3031 8 Pfizer Inc (PFE) Large Pharma 120,000 Sold Some -105,000 $29.63 $-3,112 $3,556
2438 31 Wendys Cothe (WEN) Restaurants 0 Sold All -310,000 $10.89 $-3,375 $0
859 6 Regal Entertainment Group-A (RGC) Entertainment Facilities 0 Sold All -162,000 $21.13 $-3,424 $0